Office Days: 3 – 4 days a week based in Central London (occasional domestic / international travel required)
Duration: 12 month Fixed Term Contract
We’re supporting a global listed group to appoint an Interim Head of Treasury. Reporting to the Group Treasurer, you’ll partner with Treasury leadership and business units to drive strategy, governance and insight across FX, interest rates, commodities and counterparty risk. Key to this role will be building strong relationships and partnering with the business.
Key Responsibilities
- Define and deliver Group-wide market risk strategy (FX, rates, commodities, energy)
- Partner with Treasury leadership on exposures, market dynamics and risk appetite
- Provide commercial hedging advice and execution support to businesses and JVs
- Develop MI/KPIs and communicate risk insights to senior stakeholders
- Collaborate cross-functionally on commodity and input cost risk
- Build strong relationships with CFOs and finance teams
Candidate Profile
- Degree in finance/economics (or equivalent) with professional treasury qualification preferred
- Significant experience in complex corporate treasury/financial markets roles
- Deep expertise in FX, interest rate and commodity/energy risk management
- Strong leadership and stakeholder influence across global, federated environments
- Commercial, analytical and delivery-focused; thrives in complexity and change
Disclaimer
Eton Bridge Partners receives extensive applications to advertised opportunities, and as much as we endeavour to respond promptly to each application we would advise that if you have not received communication within 10 working days consider your application unsuccessful at this time. We are dedicated to ensuring compliance with Data Protection Laws. For detailed information on how we collect, protect, and use your personal data, please refer to our Privacy Policy on the Eton Bridge Partners website. If at any point you no longer want us to hold your data, please inform us accordingly.
#J-18808-Ljbffr…
